Low PE Investor

Based on the book by John Neff

Since 2004, this portfolio has returned 126.2%, outperforming the market by 15.0% using its optimal quarterly rebalancing period and 20 stock portfolio size.

Low PE
S&P 500

This strategy looks for firms with persistent earnings growth that trade at a discount relative to their earnings growth and dividend yield.

Annual Return: 6.3% S&P 500: 5.8%
Year To Date: 2.8% S&P 500: 4.9%
Beta: 1.16 Accuracy: 58.0%
Full Return History

Portfolio Holdings

Ticker Date Added Return
GNTX 3/11/2016 28.04%
ILG 2/10/2017 20.22%
SUPV 11/18/2016 18.04%

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All-Time Top Performers

Validea subscribers got advance notice on these remarkable stock moves.

Tickers with ** denote stocks that no longer trade due to a corporate action, such as a buyout or merger.
Ticker Return
AFSI 93.87%
BBD 91.24%
SPRD 78.73%
CNX 76.71%
STT 75.82%